My clients who are a large international bank based in Berlin are currently searching for a Senior Risk Manager on Financial Risks to join their growing team.
As Senior Risk Manager you will:
- Develop and maintain the financial risk framework (policy, procedures, and tools) to ensure the management of capital risk, market risk, credit risk, and similar
- Conduct regular and ad hoc monitoring activities to achieve policy compliance
- Attend and oversight regular financial risk related committees
- Oversight of the correct assessment of new product developments for exposure to financial risks
- Provide constructive challenge to proposed risk appetites measuring financial risk exposure
- Report risks, issues and control weaknesses to the Management Board
- Manage relationship and contact with internal and external auditors as well as regulators
- Provide advisory service to impacted business departments in regards to interpretation and practical relevance of external requirements such as CRR/ CRD
Your knowledge/experience:
- Recognized Master degree in economics/ business law or equivalent
- Several years' experience in a comparable risk/ compliance function within the financial industry or a related advisory or audit role
- Excellent experience of risk-related regulatory requirements
- Excellent interpersonal, written, and verbal communication skills
- Good information analysis/interpretation skills and PC literate (MS Office)
- Fluency in written and spoken English. German preferred, but not a necessity